7298棋牌游戏大厅

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                            2.  开基日净值更多...
                               货基日收益更多...
                               封基净值表更多...
                              开放式基金净值(2019-04-16) 
                              代码简称单位净值日增长率
                              0039231.04446.66%
                              0014801.00205.58%
                              7200011.96105.32%
                              0019560.98695.03%
                              0065021.04885.02%
                              0065031.04565.01%
                              2570701.49104.96%
                              1634061.42624.87%
                              1601271.14204.84%
                              5010461.18294.68%
                              6100021.59604.45%
                              1673011.38904.43%
                              0026921.22304.35%
                              0056320.87734.33%
                              1605171.08324.28%
                              1612271.02104.10%
                              0005221.40004.09%
                              0028491.20604.06%
                              1610291.11604.00%
                              0052941.03883.96%
                              封闭式基金行情(2019-06-13) 
                              代码简称折价率现价涨幅
                              1500190.000.91101.11%
                              1500230.000.22400.45%
                              1847210.000.97100.21%
                              1847280.000.98700.10%
                              5000560.000.8250--
                              5000580.000.9860--
                              5000380.000.9380--
                              1500180.000.9880--
                              1500170.000.9790-0.10%
                              1500160.000.9450-0.11%
                              1847220.000.9620-0.21%
                              1500220.000.7670-0.39%
                              1500130.000.9500-3.94%
                              1500210.000.0000-100.00%
                              1500200.000.0000-100.00%
                              1500120.000.0000-100.00%
                              1500090.000.0000-100.00%
                              货币式基金收益(2019-06-12)    
                              代码简称万份净收益7日年化收益率
                              0014011.63544.05%
                              0003010.58793.49%
                              0003000.52353.25%
                              0034650.88243.15%
                              0049731.16933.12%
                              0030030.78623.09%
                              0013860.90943.07%
                              0041201.09853.02%
                              0023020.77183.01%
                              0019311.21732.99%
                              0016250.58382.98%
                              0034740.80902.97%
                              6750720.84512.96%
                              0044170.83032.91%
                              0012340.72062.90%
                              6750620.73572.90%
                              0008360.79042.89%
                              0008370.79042.89%
                              0022480.70042.87%
                              0049721.10322.87%

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